RHB-OSK CAPITAL FUND
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- Mark Warner
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1 Date: 1 December 2013 RHB-OSK CAPITAL FUND RESPONSIBILITY STATEMENT This Product Highlights Sheet has been reviewed and approved by the directors of RHB Asset Management Sdn Bhd (formerly known as RHB Investment Management Sdn Bhd) and they collectively and individually accept full responsibility for the accuracy of the information. Having made all reasonable enquiries, they confirm to the best of their knowledge and belief, there are no false or misleading statements, or omission of other facts which would make any statement in the Product Highlights Sheet false or misleading. STATEMENT OF DISCLAIMER The Securities Commission Malaysia has authorised the issuance of RHB-OSK Capital Fund and a copy of this Product Highlights Sheet has been lodged with the Securities Commission Malaysia. The authorisation of the RHB-OSK Capital Fund and lodgement of this Product Highlights Sheet, should not be taken to indicate that the Securities Commission Malaysia recommends the RHB-OSK Capital Fund or assumes responsibility for the correctness of any statement made or opinion or report expressed in this Product Highlights Sheet. The Securities Commission Malaysia is not liable for any non-disclosure on the part of RHB Asset Management Sdn Bhd (formerly known as RHB Investment Management Sdn Bhd) responsible for the RHB-OSK Capital Fund and takes no responsibility for the contents of this Product Highlights Sheet. The Securities Commission Malaysia makes no representation on the accuracy or completeness of this Product Highlights Sheet, and expressly disclaims any liability whatsoever arising from, or in reliance upon, the whole or any part of its contents.
2 This Product Highlights Sheet only highlights the key features and risks of RHB-OSK Capital Fund. Investors are advised to request, read and understand the Master Prospectus before deciding to invest. PRODUCT HIGHLIGHTS SHEET RHB-OSK CAPITAL FUND Name of Fund Fund Category Fund Type RHB-OSK Capital Fund ( Fund ). Equity. Capital growth. Commencement Date 12 April Capital Protected / Guaranteed No. WHO IS THE PRODUCT SUITABLE FOR? Suitable for investors who:- PRODUCT SUITABILITY want a professionally managed portfolio of shares and fixed income securities; have a medium to long term investment horizon of 3 to 5 years or more; want to achieve potential capital growth (accumulation) at an acceptable level of risk; and want to invest in shares but do not have the time to manage their own portfolio. WHAT ARE YOU INVESTING IN? KEY PRODUCT FEATURES The Fund seeks to achieve long term growth through capital appreciation with all income including profits on realisation of investments being automatically reinvested for its compounding effect. Investment Strategy The Fund invests primarily in Malaysian public listed companies with strong growth potential. The Manager utilises a strategy that seeks attractively priced companies in undervalued sectors, or in sectors that have strong upward stock price momentum which demonstrate strong increases in earnings per share and continue to strengthen their fundamental capabilities and competitive positions, amongst others. Asset Allocation Up to 95% of NAV will be invested in equities. Minimum of 5% of NAV will be invested in fixed income securities and/or liquid assets. FBM KLCI. Performance Benchmark Mode of Income Distribution Distribution (if any) which is less than or equal to the amount of RM300.00, will be automatically reinvested into the Fund based on the NAV per unit seven (7) Business Days after the ex-dividend date. No sales charge or costs shall be incurred or payable by the Unit Holders for the reinvestment. Distribution (if any) which is more than the amount of RM300.00, will be automatically paid out to the Unit Holders via cheque, unless the Unit Holder specifically requests for the distribution to be reinvested into the Fund by selecting the appropriate option in the application form. Unit Holders who opt for their distribution to be reinvested into the Fund will have their distribution reinvested into the Fund based on the NAV per unit seven (7) Business Days after the ex-dividend date. No sales charge or costs shall be incurred or payable by the Unit Holders for the reinvestment. In the absence of the Unit Holder s written instructions, income distribution from the Fund will be automatically paid out to the Unit Holders via cheque. Unit Holders must notify the Manager in writing seven (7) Business Days prior to each date fixed for the distribution of any change in his distribution instructions. Auto re-investment of distribution cheques upon the lapse of six months cheque validity period. All unclaimed distributions will be automatically reinvested into additional units at the expiry of the validity period of the cheques based on the prevailing NAV per unit seven (7) Business Days after the expiry of validity period of the cheques. Distribution Policy Distribution (if any) is incidental and will be subject to the availability of income at the end of the financial year. RHB-OSK Capital Fund 2
3 Parties Involved WHO ARE YOU INVESTING WITH? Manager Trustee Trustee s delegate Tax adviser Auditor Solicitor RHB Asset Management Sdn Bhd (formerly known as RHB Investment Management Sdn Bhd). Maybank Trustees Berhad. Malayan Banking Berhad. PricewaterhouseCoopers Taxation Services Sdn Bhd. PricewaterhouseCoopers. Messrs. Naqiz & Partners. WHAT ARE THE KEY RISKS OF THIS INVESTMENT? Specific Risks Stock market risk KEY RISKS Securities may decline in value due to factors affecting securities markets generally or particular industries represented in the securities markets. The value of a security may decline due to general market conditions which are not specifically related to a particular company, such as real or perceived adverse economic conditions, changes in the general outlook for corporate earnings, changes in interest or currency rates or adverse investors sentiment generally. They may also decline due to factors that affect a particular industry or industries, such as labour shortages or increased production costs and competitive conditions within an industry. Equity securities generally have greater price volatility than fixed income securities. The market price of securities owned by a unit trust fund might go down or up, sometimes rapidly or unpredictably. Liquidity risk Liquidity risk exists when particular investments are difficult to sell, possibly preventing a unit trust fund from selling such illiquid securities at an advantageous time or price. Unit trust funds with principal investment strategies that involve securities or securities with substantial market and/or credit risk tend to have the greater exposure to liquidity risk. As part of its risk management, The Manager will attempt to manage the liquidity of the Fund through asset allocation and diversification strategies within the portfolio. The Manager will also conduct constant fundamental research and analysis to forecast future liquidity of its investments. Individual stock risk The performance of each individual stock that a unit trust fund invests is dependent upon the management quality of the particular company and its growth potential. Hence, this would have an impact on the unit trust fund s prices and its dividend income. The Manager aims to reduce all these risks by using diversification that is expected to reduce the volatility as well as the risk for the Fund s portfolio. In addition, the Manager will also perform continuous fundamental research and analysis to aid its active asset allocation management especially in its stock selection process. Issuer risk The value of each individual fixed income securities that a unit trust fund invests in may decline for a number of reasons which is directly related to the issuer, such as, the management performance, financial leverage and reduced demand for the issuer s goods or services. The Manager aims to reduce all these risks by using diversification that is expected to reduce the volatility as well as the risk for the Fund s portfolio. WHAT ARE THE FEES AND CHARGES OF THIS INVESTMENT? FEES & CHARGES This table describes the charges that you may directly incur when you buy or redeem units of this Fund: Charges Sales charge by distribution channels Direct sales (Direct investment with the Manager) Tied agents Institutional Unit Trust Adviser (IUTA) Investors investing under the EPF Members Investment Scheme: Up to 3.00% of NAV per unit for all distribution channels and direct investment with the Manager. (The sales charge levied of up to 3.00% of NAV per unit for investors investing under the EPF Members Investment Scheme is regulated by EPF). The list of funds that is allowed under the EPF Members Investment Scheme will be updated on the website as and when EPF revises the list. Alternatively, you may contact our Customer Care Centre at Repurchase charge Dilution fee / transaction cost factor Any other charges payable directly by the investors Switching fee RM25.00 per switch or the difference in sales charge between switching funds on the amount to be switched, where applicable. RHB-OSK Capital Fund 3
4 Transfer fee Note 1. Investors may negotiate for a lower sales charge. Note 2. The Manager reserves the right to reject any switching request that it regards as disruptive to efficient portfolio management, or if deemed by the Manager to be contrary to the best interest of the Fund. This table describes the fees that you may indirectly incur when you invest in the Fund: Fees and Expenses Annual management fee Annual trustee Fee Other fees payable indirectly by an investor (if any) Up to 1.50% per annum of NAV. 0.06% per annum of NAV. Audit fees. HOW OFTEN ARE VALUATIONS AVAILABLE? VALUATIONS AND EXITING FROM INVESTMENT The valuation of the Fund is conducted at 5.00 pm of each Business Day and the NAV of the Fund is the total value of all investments and cash held by the Fund including income derived by the Fund which has not been distributed to Unit Holders, less any amount owing or payable in respect of the Fund including any provisions that the Trustee or the Manager considers necessary to be made. Such NAV per unit will be published in the unit trusts column of the newspapers on the following day. Investors may obtain the most current computed price by contacting the Manager directly or visiting our website, HOW CAN YOU EXIT FROM THIS INVESTMENT AND WHAT ARE THE RISKS AND COSTS IN DOING SO? Applications for redemption must be submitted to the Manager on a Business Day no later than 4.00 p.m. Such redemption requests are deemed received only if all documents and forms received by the Manager are duly and correctly completed. Any documents and forms received by the Manager after 4.00 p.m. on a Business Day shall be treated as having been received by the Manager on the immediate following Business Day. Notwithstanding the preceding paragraph above, the business hours, payment cut-off time and payment system of the IUTAs are subject to the internal policies of the respective IUTAs. The Manager does not impose any minimum amount for any repurchase transaction but subject to the minimum holding requirement. For partial redemption, the balance of units held after the redemption must not be less than the applicable minimum holding of 1,000 units on any Business Day. There are no restrictions on the frequency of redemptions in a year. For the avoidance of doubt, the Manager will deem an automatic request for a full repurchase of units to have been made by the Unit Holder should a request for partial redemption leave the balance of units held after the redemption less than the applicable minimum holding. Unit Holders may receive the repurchase proceeds within ten (10) days from the date the Manager is in receipt of the duly completed repurchase forms. For EPF Unit Holders, the repurchase proceeds will be remitted to Kumpulan Wang Simpanan Pekerja ( KWSP ) by crediting into the members provident account. HOW CAN YOU CONTACT US? CONTACT INFORMATION To contact the Manager or to find out about the distribution channels of the Fund, you may call Unit Holders Services Toll-Free Hotline: at any time during office hours: Mondays through Fridays from 9.00 a.m p.m. or your enquiries to rhbam@rhbgroup.com or visit our website, HOW DO YOU LODGE A COMPLAINT? 1. For internal dispute resolution, you may contact: (d) via phone to via Unit Holders Services Toll-Free Hotline at via to : : : : rhbam@rhbgroup.com (e) via website at : (f) via letter to : RHB Asset Management Sdn Bhd (formerly known as RHB Investment Management Sdn Bhd) 19th Floor, Plaza OSK, Jalan Ampang, Kuala Lumpur 2. If you are dissatisfied with the outcome of the internal dispute resolution process, please refer your dispute to the Securities Industry Dispute Resolution Center (SIDREC): (d) via phone to via to via letter to : : : info@sidrec.com.my : Securities Industry Dispute Resolution Center (SIDREC) Unit A-9-1, Level 9, Tower A RHB-OSK Capital Fund 4
5 Menara UOA Bangsar No. 5, Jalan Bangsar Utama Kuala Lumpur 3. You can also direct your complaint to the Securities Commission Malaysia ( SC ) even if you have initiated a dispute resolution process with SIDREC. To make a complaint, please contact the SC s Investor Affairs & Complaints Department: via phone to the Aduan Hotline at via to : : : aduan@seccom.com.my (d) via online complaint form available at : (e) via letter to : Investor Affairs & Complaints Department Securities Commission Malaysia No 3 Persiaran Bukit Kiara Bukit Kiara Kuala Lumpur Business Day EPF EPF Members Investment Scheme Fund Glossary A day on which either the Bursa Malaysia is open for trading or banks in Kuala Lumpur are open for business. The Malaysian Employees Provident Fund set up under section 24 of the Employees Provident Fund Act 1991 or Kumpulan Wang Simpanan Pekerja. The investment schemes approved by the Minister charged with responsibility for matters relating to the Employees Provident Fund Board, subject to such terms and conditions as he thinks fit, which the Employees Provident Fund Board may, subject to any regulations and rules made under the Employees Provident Fund Act 1991, authorize an application for investment, made by a member of the EPF, partly any amount standing to the credit of such member of the EPF. RHB-OSK Capital Fund. Master Prospectus Master prospectus dated 1 December 2013 which replaces the master prospectus dated 17 May 2013; and its supplementary(ies) (if any). NAV or Net Asset Value of the Fund or NAV of the Fund RM Unit Holder(s) NAV is determined by deducting the value of all the Fund s liabilities from the value of all that Fund s assets, at the valuation point; for the purpose of computing the annual management fee and annual trustee fee, the NAV of the Fund should be inclusive of the management fee and trustee fee for the relevant day. Ringgit Malaysia. The person registered as the holder of a unit (including persons who are jointly registered) in that Fund. RHB-OSK Capital Fund 5
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